Skip to main content
블로그

트레이딩 블로그

체계적, 심층적, 실행 가능. 초보자를 위해 엄선됨.

주제별 필터
#beginners 86#technical-analysis 63#advanced 57#risk-management 48#forex 43#foundations 42#psychology 42#candlesticks 40#indicators 38#glossary 37#reference 37#compliance 35#fibonacci 31#macro 30#fundamental-analysis 30#tools 27#patterns 25#stocks 23#sentiment 22#price-action 22#price-structure 22#crypto 21#technicals 21#algorithmic 21#quant-trading 21#market-structure 20#trading-systems 20#backtesting 20#smart-money-concepts 20#elliott-wave 19#wave-theory 19#intermarket 19#platforms 19#market-cycles 19#wyckoff 18#taxes 18#positioning 18#regulation 18#behavioral-finance 18#statistics 18#quantitative 18#market-phases 18#supply-demand 17#zones 17#commodities 17#trading-plan 17#journal 17#trading-styles 17#comparison 17#portfolio-theory 17#money-management 17#vsa 16#volume-analysis 16#market-profile 16#volume-profile 16#chart-patterns 16#trading-business 16#operations 16#order-flow 16#tape-reading 16#advanced-charting 16#prop-firm 16#pivot-points 13#institutional 13#smart-money 12#fundamentals 11#seasonality 11#Crypto 10#strategies 9#harmonic-patterns 9#chart-types 9#funding 9#economic-data 8#etfs 8#accumulation 7#beginner 7#currency 7#etf 7#smc 7#systems 7#evaluation 7#harmonic 7#discipline 7#basics 6#macroeconomics 6#valuation 6#stop-loss 5#position-sizing 5#strategy 5#income 5#Technology 4#emotions 4#central-banks 4#options 4#analysis 4#Web3 3#DeFi 3#Risk Management 3#risk-reward 3#trading-strategies 3#metrics 3#monetary-policy 3#financial-statements 3#derivatives 3#bonds 3#indices 3#defi 3#support-resistance 2#breakouts 2#bias 2#portfolio 2#volatility 2#vix 2#ratios 2#value-investing 2#earnings 2#dividends 2#short-selling 2#corporate-finance 2#margin 2#fixed-income 2#trading 2#safe-haven 2#energy 2#trading-mistakes 1#Foundations 1#Regulation 1#Stablecoin 1#Staking 1#Layer2 1#Security 1#Trading 1#mistakes 1#moving-averages 1#trendlines 1#gaps 1#channels 1#rules 1#routine 1#mindset 1#take-profit 1#health 1#labor-market 1#market-psychology 1#sector-rotation 1#safe-havens 1#profitability 1#leading-indicator 1#market-cap 1#income-statement 1#inflation 1#cash-flow 1#balance-sheet 1#value 1#corporate-actions 1#screeners 1#sectors 1#dilution 1#reits 1#real-estate 1#penny-stocks 1#day-trading 1#greeks 1#brokerage 1#leverage 1#ipo 1#inverse 1#index-funds 1#growth 1#futures 1#covered-calls 1#diversification 1#cash-secured-puts 1#blue-chips 1#after-hours 1#yield-curve 1#stablecoins 1#silver 1#precious-metals 1#on-chain 1#oil 1#nfts 1#natural-gas 1#gold 1#ethereum 1#dollar 1#wallets 1#security 1#exchanges 1#copper 1#industrial-metals 1#bitcoin 1#altcoins 1#agriculture 1#grains 1

최신 기사

How Much Risk Per Trade Is Safe? The 1-2% Rule

The 1-2% rule caps risk per trade at a small percentage of your account, driving risk of ruin toward zero and keeping losses survivable.

#risk-management#position-sizing

Risk of Ruin: The Math Behind Going Broke

Risk of ruin is the probability that a string of losses wipes out your account, and it falls dramatically when you keep risk per trade low.

#risk-management#metrics

Revenge Trading: The #1 Account Killer and How to Stop

Revenge trading is the spiral of entering larger, lower-quality trades after a loss, and a daily loss limit plus a cool-down rule are the only reliable cures.

#psychology#discipline

Position Sizing Methods Compared: Which Is Best?

Five position sizing methods — fixed fractional, fixed lot, Kelly, volatility-based, and martingale — compared on safety, growth, and complexity.

#position-sizing#risk-management

Patience in Trading: Waiting for the Right Setup

Patience in trading means skipping mediocre setups and waiting for A+ ones, and it is the difference between a profitable trader and a busy one.

#psychology#discipline

Overtrading: 7 Signs You're Doing It and How to Stop

Overtrading is taking too many trades or trading too large, and it silently drains accounts through costs, fatigue, and sloppy execution.

#psychology#discipline

Maximum Drawdown: Measuring Worst-Case Loss

Maximum drawdown is the largest peak-to-trough decline in your account, and it's the single best measure of the pain a strategy inflicts on the way to its returns.

#risk-management#metrics

Loss Aversion: Why We Hold Losers Too Long

Loss aversion is the tendency to feel losses twice as strongly as equivalent gains, and it drives traders to hold losers and cut winners prematurely.

#psychology#bias

Kelly Criterion in Trading: Optimal Bet Size

The Kelly Criterion calculates the mathematically optimal bet size for maximizing long-term growth, but full Kelly is too volatile for most traders.

#position-sizing#risk-management

Greed in Trading: When Enough Is Never Enough

Greed drives traders to over-size, remove stops, and hold winners past targets — turning good strategies into blown accounts.

#psychology#emotions

FOMO Trading: How to Stop Chasing the Market

FOMO trading is entering late after a move has already happened, and the cure is a written plan plus the discipline to wait for the next setup.

#psychology#emotions

Fixed Fractional Position Sizing: The Safest Method

Fixed fractional position sizing risks a constant percentage of your account per trade, making it the most reliable way to survive drawdowns and compound gains.

#position-sizing#risk-management